Xinxing Ductile Iron Pipes Co., Ltd.

SZSE:000778.SZ

4.28 (CNY) • At close October 26, 2023
Overview | Financials

Cijfers zijn in miljoenen (behalve de cijfers per aandeel en de ratio's) CNY.

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001200019991998
Operationele Activiteiten:
Nettowinst 1,350.8251,918.2872,180.0191,963.7741,586.1182,034.0311,065.633450.495467.036556.721,083.5471,516.041,754.5451,544.5221,051.445741.4744.204549.558617.023716.93607.244470.445424.356301.677244.818197.845
Afschrijvingen & Amortisatie 1,637.1461,590.3851,181.8021,282.4271,443.0731,169.2421,157.8851,041.1441,152.0571,340.3511,461.1421,112.872869.913711.464557.5502.713369.443358.728303.851255.371199.29148.689146.825126.209126.53592.69
Uitgestelde Inkomstenbelasting 36.3039.4393.83-137.02-176.736-45.008-66.70939.015-2.36400000000000000000
Aandelen Gebaseerde Vergoedingen -4.4270000000000000000000000000
Verandering in Werkkapitaal -1,004.956-296.375-695.126-1,680.984-1,402.563-1,278.769312.88-1,387.00360.14266.104-2,184.125-425.869-2,231.397-2,270.067-808.527917.423-791.416-721.907-435.476-419.237-522.207-170.356201.694-19.803-30.775-4.958
Vorderingen 853.754235.354675.616-1,769.4371,690.0341,542.131-1,284.519-2,046.3261,638.077-1,939.069-2,692.589-1,220.64400000000000000
Voorraden -429.624-46.599555.394-952.218403.037-2,208.4271,629.4912,613.334-352.7381,187.547-2,151.9-790.032-742.613-1,104.53234.003-62.129-246.459622.699-93.893-738.969-624.329-287.479-263.564-180.621-91.21728.354
Crediteuren -1,429.086-494.57-1,929.9671,177.691-3,318.898-567.46616.78-1,993.026-1,222.83300000000000000000
Overig Werkkapitaal -1,392.7839.4393.83-137.02-176.736929.658-1,316.611-4,000.337412.88-1,121.443-32.225364.163-1,488.784-1,165.536-842.53979.552-544.957-1,344.606-341.583319.731102.122117.124465.258160.81860.442-33.312
Overige Niet-Contante Posten 4,632.86611.373502.3331,554.3981,501.7011,828.141,147.86999.301413.66741.885-322.762172.921498.011243.464215.842140.63735.929138.61276.12634.30628.52226.49517.4265.5146.5642.469
Kasstroom uit Operationele Activiteiten 2,372.9363,230.773,169.0283,119.6153,128.3293,752.6443,684.2581,103.9382,092.9022,005.06137.8032,375.964891.072229.3831,016.262,302.174358.159324.991561.525587.37312.848475.273790.3413.598347.142288.045
Investeringsactiviteiten:
Investeringen in Materiële Vaste Activa -1,342.863-2,343.982-3,094.62-883.476-2,976.854-1,842.152-1,656.437-1,924.19-1,186.055-1,704.504-2,814.434-4,720.185-4,633.292-1,971.911-968.166-1,428.152-955.4-611.338-500.287-672.272-467.299-205.767-371.13-82.477-129.586-165.248
Netto Overnames 271.7925.456491.8828.13938.548-13.94324.252-64.2064.8452.7614.028408.516-408.734-537.867002.378000000000.26
Aankoop van Beleggingen -4.90-15.931-598.378-1,707.53-1,043.476-688.65-1-430.175-1,632.946-1,494.879-133.376-185.947-727.643-1,204-186.576-4-510-0.4830000-200-6.7
Verkoop/verval van Beleggingen 0.175445.492425.0711,199.5692,141.053642.252,308.119113.445491.40994.279485.57948.6075.556340050.0690000000195.19577.446
Overige Investeringsactiviteiten 1011.783-490708.8381,859.271,826.062721.1013.961-43.842-142.926-132.88-1.141-158.962307.082-20.4710.944-51.2661.6621.4658.7650.17-0.2160.081-82.477-0.55-7.94
Kasstroom uit Investeringsactiviteiten -1,065.796-1,881.252-2,683.6454.693-645.513-431.259708.385-1,871.989-1,163.819-3,383.338-3,942.585-4,397.578-5,381.378-2,896.339-2,192.636-1,613.784-958.219-660.676-498.822-663.99-467.129-205.983-371.048-82.477-134.941-102.183
Financieringsactiviteiten:
Schuldaflossingen -422.434-10,712.2-9,836.433-11,225.475-12,806.38-15,121.887-17,755.785-15,047.281-12,269.074-13,043.887-8,690.748-10,141.447-5,603.364-2,974.654-3,125.919-3,026.459-888.79-1,076.3-232.86-5.462-109.1780-15-1.588-30.15-36
Uitgifte van Gewone Aandelen 035.0272.095125.7980000000000000000000000
Terugkoop van Gewone Aandelen 0-35.027-2.095-125.7980000000000000000000000
Uitgekeerde Dividenden -518.343-598.09-598.214-598.214-798.176-1,267.242-958.15-1,014.589-1,338.181-1,298.504-1,148.624-1,750.893-511.285-402.818-510.105-347.327-129.838-539.89-258.071-142.717-326.136-249.488-271.068-164.346-168.172-147.627
Overige Financieringsactiviteiten -547.22511,433.1729,828.74410,623.81512,537.46914,526.215,363.00916,150.81612,664.94413,771.20716,785.38813,313.28911,262.9355,220.2966,543.5493,516.3391,833.6662,421.681385.058230.82300479.3850.16937.008271.128
Kasstroom uit Financieringsactiviteiten -1,488.002-308.235-1,186.72-1,794.475-1,642.032-1,862.928-3,350.92688.946-942.312-571.1856,946.0171,420.9495,148.2871,842.8242,907.525142.554815.039805.491-105.87382.62-205.315-249.488193.317-165.764-161.31487.501
Overige Informatie:
Effect van Wisselkoersveranderingen op Kas -12.08683.654-16.462-28.939-0.58911.2-20.31316.11934.536-4.988-14.428-6.337-20.34900-000-000-00-000
Netto Kasstroomverandering -289.0721,124.938-717.7551,750.894840.1951,469.6561,021.405-662.98621.308-1,954.453,026.807-607.002637.631-824.1321,731.149830.944214.979469.806-43.176.001-359.59619.802612.569165.35750.887273.363
Kaspositie aan het Einde van de Periode 10,468.8429,546.3468,421.4089,139.1637,388.2686,548.0735,078.0374,056.6324,719.6184,698.316,603.6213,576.8144,183.8163,546.1854,093.7642,362.6151,531.6711,316.692846.886890.056884.0551,243.6511,223.848611.279445.923395.036